welcome office of the state controller (osc) cash management plan workshop

20
Welcome Office of the State Controller (OSC) Cash Management Plan

Upload: abraham-douglas

Post on 04-Jan-2016

214 views

Category:

Documents


2 download

TRANSCRIPT

Page 1: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

WelcomeOffice of the State Controller (OSC)

Cash Management Plan

Workshop

Page 2: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Melody Tart, OSC

Phone 919-981-5486

Fax 919-875-3845

[email protected]

Page 3: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Statutory ReferenceG.S. 147-86.10 All agencies, institutions,

departments, bureaus, boards, commissions and officers of the State . . . shall devise techniques and procedures for the receipt, deposit and disbursement of moneys coming into their control.

Page 4: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Policies and Procedures

Each plan must follow the uniform statewide cash management plan format and include any cash management directives or policies issued by the State Controller.

Web address for statewide plan is: www.osc.state.nc.us/sigdocs/

sig_docs/cash_mgmt/SCMPLAN. html

Page 5: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Policies and Procedures

Plans to OSC by March 16, 2001.

Office of the State Controller

Attn: Melody Tart

1410 Mail Service Center

Raleigh, NC 27699-1410

C.B. 56-50-10

Page 6: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Policies and Procedures

Submission cover letter should be included with your plan.

The State Controller will acknowledge the approval or disapproval of each plan in writing. A copy of the final approval letter should be maintained with your plan.

Page 7: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Policies and Procedures Any changes to the approved plan

must have prior approval by OSC. Proposed changes should be sent to Melody Tart.

A copy of the approved cash management plan and any revisions must be kept on file and be made available to the State Auditor for compliance auditing.

Page 8: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Revisions to Statewide Plan-Receipts Include a description of daily deposit

cutoff times and schedule.

For example:

All monies received by 2:00 p.m. are taken to the bank for deposit. Funds received after 2:00 p.m. are safeguarded during the evening hours and are included in the next work day’s deposit.

Page 9: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Revisions to Statewide Plan-Receipts Any approved, by the Department

of the State Treasurer, exception to the daily deposit requirement must be included and explained.

A copy of the State Treasurer’s approval letter should be included with your plan.

Page 10: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Revisions to Statewide Plan-Receipts If you have any subsequent

exceptions, after your plan’s approval, they must be submitted to OSC.

Accounts Receivable (A/R) policies and procedures must be included and no longer maintained separately.

Page 11: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Revisions to Statewide Plan-Receipts These polices and procedures must

incorporate the statewide A/R policies and procedures, in accordance with G. S. 147-86.21.

Web address of statewide A/R policies:

www.osc.state.nc.us/sigdocs/sig_ docs/sigAccounts_Receivable00001212. html

Page 12: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Revisions to Statewide Plan-Receipts All federal draws should be timed so

that the funds are on deposit with the State Treasurer no more than two business days prior to the disbursement.

Refer to Cash Management Directive for Federal Funds at:

www.osc.state.nc.us/sigdocs/sig_

docs/cash_mgmt/DIRFEDFD.html

Page 13: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Revisions to Statewide Plan-Receipts Electronic payment policies and

procedures must be included and no longer maintained separately.

These policies and procedures must incorporate the statewide electronic payment policies and procedures, in accordance with G. S. 147-86.22.

Page 14: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Revisions to Statewide Plan-Receipts

Web address of statewide electronic payment policies and procedures:

www.osc.state.nc.us/credit _

card.html

Page 15: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Revisions to Statewide Plan-Disbursements

In order to avoid disbursing account overdrafts, warrants should not be released before adequate funds have been requisitioned by the agency and approved and deposited to the applicable disbursing account by OSC.

Page 16: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Revisions to Statewide Plan-Disbursements

Electronic Funds Transfers (EFT) should be used for certain payments between State and local units, vendors and employees, when it is determined to be mutually beneficial to both parties.

Page 17: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Revisions to Statewide Plan-Disbursements

Refer to Cash Management Directive for EFT at:

www.osc.state.nc.us/sigdocs/sig_

docs/cash_mgmt/EFTLOCAL.html

Page 18: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Revisions to Statewide Plan-Disbursements

Delegation of Disbursing Authorities must be kept current and must be approved by the State Controller.

Forms:

www.osc.state.nc.us/sigdocs/sig_

docs/cash_mgmt/disbursing.html

Page 19: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop

Questions???

Thanks for your attention

Page 20: Welcome Office of the State Controller (OSC) Cash Management Plan Workshop